Annual Reports
of the
•!*<C»><»I**><3><*<* •:
TOWN .f STRAFFORD
New Hampshire*
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1982
For the year ending
December 31, 1982
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ANNUAL REPORTS
of the
TOWN OF
STRAFFORD
For the Year Ending
December 31, 1982
RIDINGS PRESS, INC.
DOVER, N.H.
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INDEX
Town Officers 4
Town Warrant 6
Town Budget 10
Summary Inventory of Valuation 13
Financial Report 14
Uniform Classification 15
Detail Statement of Payments 18
Schedule of Town Property 19
Town Treasurer's Report 20
Town Clerk's Report 21
Town Meeting 22
Tax Collector's Report 27
Strafford Conservation Commission 30
Reports regarding the Library 31
Report of Trust Funds 36
Report of Police Department 37
Report of Fire Department 37
Report of Town Forest Fire Warden 38
Report of Recreation Committee 39
Report of Dog Officer 39
1 982 Strafford Civil Defense Activities 40
Planning Board Report 1 982 40
Strafford School District Officers 43
Report of School Warrant 44
Report of School District Treasurer 45
School District Detailed Statement of Receipts 46
Financial Report of School 46
School District Detailed Expenditures 47
Strafford School Lunch Program 52
Strafford School Nurse Report 55
Report of Superintendent 56
Salary of Superintendent and Assistant Superintendent 60
School District School Calendar 61
School District Revenues and Credits 61
School District Budget 62
Minutes of Strafford School District Meeting 68
Vital Statistics 71
Thomas L. Davis
James O. Wilder
Jo Ann Brown
TOWN OFFICERS
SELECTMEN
S. William Talvio (resigned)
Albert W. Leighton (filling balance of term)
TOWN CLERK
Billye Waldron
TOWN TREASURER
Phyllis Lynbourg
TAX COLLECTOR
Marjorie Stiles
MODERATOR
Russell C. Shillaber
SUPERVISORS OF CHECK LIST
Myrtle Hammer Dorothy Bernaatz
HEALTH OFFICER
Harold McDonald
AUDITORS
Stephen J. Seeman, Ph.D.
TRUSTEES OF TRUST FUNDS
M. Justine Leighton
Katrina Rhodes
Loren Pierce
Errol Clark
LIBRARY TRUSTEES
AnnTabory
LIBRARIAN
Ellen E. Stiles
FIRE WARDEN
Wilbur Rainey
DEPUTIES
George Thome
Robert Sawyer
Eleanor G. Sawyer
BerniceOmand
John MacDougall
Harley Winkley
Howard Ambrose
ROAD AGENT
Radford Messenger
CIVIL DEFENSE DIRECTOR
Robert L. Evans
BUILDING INSPECTOR
Harold McDonald
POLICE DEPARTMENT
Jannes P. Savitts William Porter Carl Brown -Chief of Police
R. Stephen Leighton E. Laurentz
Andrea Crosby - Dog Officer
PLANNING BOARD
Lester Huckins Thomas Davis Mark Thompson
David Dupee David Whitcher
David Bennett
ALTERNATES
John Creamer
John Penney
BOARD OF ADJUSTMENT
Philip Dame ReneA. Morin Robert Chadbourn
John O'Brien Verna Davis
John Bozak
Neil Mooers
ALTERNATES
Albert Leighton Michael Barry
CONSERVATION COMMISSION
Gail Barry Jo Ann Brown
James Collin David Bennett
Robert Omand
Denis Thorne
RECREATION COMMISSION
John B. Penney
Bruce Matthews
TOWN WARRANT
THE STATE OF NEW HAMPSHIRE
The polls will be open from 10:00 a.m. to 6:00 p.m.
To the Inhabitants of the Town of Strafford in the County of Strafford in
said State, qualified to vote in Town Affairs:
You are hereby notified to meet at Strafford Elementary School in said
Strafford on Tuesday, the 8th day of March, next at ten of the clock in the
forenoon, to act upon the following subjects:
** 1 . To choose all necessary Town Officers for the year ensuing.
2. To raise such sums of money as may be necessary to defray
town charges for the ensuing year and make appropriations of the same.
**NOTE: All articles except No. 1 will be taken up at 8:00 p.m. Tuesday,
March 8, 1983 at the Elementary School.
3. To see if the Town will vote to appropriate and authorize the
withdrawal from the Revenue Sharing Fund established under the provi-
sions of the State Local Assistance Act of 1 972 for use as set offs against
budgeted appropriations for the following specific purposes and in
amounts indicated herein or take any other action thereon:
APPROPRIATION AMOUNT
Ambulance $2,000
Fire Department 1 ,200
Library 1,000
Police Department 2,000
Recreation Commission 300
Rural Health 1,000
4. To see if the Town will vote to raise and appropriate $30,000 to
convert a portion of the Bow Lake Firehouse into Town Office space and
make the present Town Office available to the Strafford School District
for school use.
5. To see if the Town will raise and appropriate $12,000 for the
operation and maintenance of the Police Department ($2,000 from
Revenue Sharing).
6. To see if the Town will raise and appropriate $5,541 as the
Town's share of the cost of providing ambulance service by the Center
Barnstead Fire Department ($2,000 from Revenue Sharing).
7. To see if the Town will accept Town Road Aid and appropriate
$1,000.58 to which the State of New Hampshire will contribute
$6,670.55.
8. To see if the Town will raise and appropriate $125,000 for High-
ways and Bridges.
9. To see if the Town will approve and appropriate money for a
change in the Town Clerk's salary from $750 to $1,000 per year.
10. To see if the Town will vote to pay $4.50 per hour for all hourly
labor.
11. To see if the Town will vote to increase the pay for the Assistant
to the Selectmen from $5.30 to $5.75 per hour.
12. To see if the Town will raise and appropriate $1,000 for
maintenance and supplies for the Rescue Vehicle.
1 3. To see if the Town will raise and appropriate $1 ,000 for training
purposes for the members of SMERT.
14. To see if the Town will raise and appropriate the sum of $3,500
for the following equipment for the Fire Department:
1. 1, 000 ft. of forestry hose- 1 ^4" $1,000
2. High band Portable radio/truck unit $1,000
3. 5 full sets of turnout gear $1,500
1 5. To see if the Town will raise and appropriate the sum of $1 3,1 05
to operate and maintain the Fire Department ($1 ,200 from Revenue Shar-
ing).
1 6. To see if the Town will raise and appropriate $64,843 to purchase
and equip a 1983 FMC Roughneck Pumper consisiting of a 750 G.P.M.
pump and a 1 ,000 gallon tank.
17. To see if the Town will raise and appropriate $6,500 for the
operation and maintenance of the Strafford Library ($1,000 from
Revenue Sharing).
18. To see if the Town will raise and appropriate $10,000 for Public
Welfare.
19. To see if the Town will raise and appropriate $200 for the obser-
vance of Memorial Day.
20. To see if the Town will raise and appropriate $200 as a donation
to the Bow Lake Community Club to help defray the cost of the Fourth of
July fireworks display.
21 . To see if the Town will raise and appropriate $3,000 for the sup-
port of the Recreation Commission ($300 from Revenue Sharing).
22. To see if the Town will raise and appropriate $5,577 for the sup-
port of the Rural District Health Council ($1,000 from Revenue Sharing).
23. To see if the Town will vote to appropriate $20,000 to operate
and maintain the Town's solid waste disposal center.
24. To see if the Town will exempt the Crown Point Grange Hall and
the Bow Lake Grange Hall (now the property of the Bow Lake Community
Club) from the list of taxable property. Both are non-profit organizations.
(By petition)
25. To see if the Town will vote to go on record in support of imme-
diate action by the Federal Government to control and reduce acid rain
which is harnnful to the environment and economy of Strafford and to the
health and welfare of the people of Strafford. (By petition)
These actions shall include:
1. Reduce by at least half the major causes of acid rain, sulfur
dioxide emissions by the year 1990.
2. Conclude negotiations and adopt a treaty with the govern-
ment of Canada, that will commit both nations to the same
goal. The record of the vote on this article shall be transmit-
ted to the N.H. Congressional Delegation and to the President
of the United States.
26. To see if the Town will vote to accept Parshley Lane as a Town
Road, Parshley Lane meets all specifications for subdivision roads. (By
petition)
27. To see if the Town will vote to accept as a public road the follow-
ing:
Barberry Lane, in Whig Hill Estates, approximately 1100' in
length. This road was built to town standards and completed in
1980 in gravel. Town to accept pending tar surface during sum-
mer of 1983.
Beaver Brook Drive, in Whig Hill Estates, approximately 900' in
length. This road was built to town standards and completed in
1980 in gravel. Town to accept pending tar surface during sum-
mer of 1983.
Ledgewood Drive, in Whig Hill Estates, approximately 600' in
length. This road was built to town standards and completed in
1980 in gravel. Town to accept pending tar surface during sum-
mer of 1983.
28. To see if the Town will vote to accept as public roads the follow-
ing in Little Valley Acres sub-division:
River Road from the Leighton's Corner Road westerly to its junc-
tion with the Stacy Road; then the entire Stacy Road, including
the cul-de-sac, being a total of 2,800 feet.
These roads have been constructed according to town
specifications and have a bituminous surface.
29. To see if the Town will vote to raise and appropriate the sum of
$600 for the Seacoast Task Force on Family Violence, a private nonprofit
organization, which operates A SAFE PLACE, a shelter for battered
women and their children, which provides shelter and supportive ser-
vices to residents of tlie Town of Strafford. (By petition)
30. To see if the Town will vote to authorize the Selectmen to apply
for, accept and expend money from the State, Federal, or other govern-
mental unit or a private source which becomes available during the year
in accordance with procedures set forth in RSA 31:95b.
31 . To see if the Town will vote to authorize prepayment of resident
taxes and to authorize the Tax Collector to accept prepayments as pro-
vided by RSA 80:1a.
32. To see if the Town will vote to authorize the Selectmen to convey
property or tax liens acquired by the Town by tax collector's deed, by
public auction, or advertised sealed bid or in such other manner as deter-
mined by the Selectmen or as justice may require.
33. To see if the Town will grant a 2% discount on taxes paid within
ten days of the mailing of the tax bill.
34. To see if the Town will authorize the Selectmen to borrow money
in anticipation of taxes.
35. To transact any other business that may legally come before this
meeting.
Given under our hands and seal, this 16th day of February, in the year
of our Lord nineteen hundred and eighty-three.
Thomas L. Davis
James O. Wilder
Albert W. Leighton
Selectmen of Strafford
A true copy of Warrant — Attest:
Thomas L. Davis
James O. Wilder
Albert W. Leighton
Selectmen of Strafford
BUDGET OF THE TOWN OF STRAFFORD, NH
Actual
Appropr.
Appropr.
Expend.
Ensuing Fiscal
1982
1982
1983
Purposes of Appropriation
(1982-83)
(1982-83)
(1983-84)
GENERAL GOVERNMENT
Town Officers Salary
$ 8,400
$ 8,684
$ 9,000
Town Officers Expenses
9,700
9,245
10,000
Election and Registration
Expenses
1,500
1,495
1,000
General Government Buildings
2,000
2,335
2,000
Reappraisal of Property
1,500
2,000
2,000
Planning and Zoning & Postage
1,300
605
1,000
Legal Expenses
2,000
806
2,000
Advertising and Regional
Association
1,000
1,172
1,200
Contingency Fund
1,000
1,000
Auto Permits
1,950
1,982
2,100
PUBLIC SAFETY
Police Department
12,000
9,568
12,000
Fire Department
12,000
14,399
13,000
Civil Defense
250
250
Dispatch Center-Art. 37
2,495
HIGHWAYS; STREETS & BRIDGES
Town Maintenance
75,000
84,089
75,000
General Highway Department
Expenses
50,000
32,212
50,000
Town Road Aid
996
996
1,000
Street Lighting
1,600
1,509
1,600
SANITATION
Solid Waste Disposal 15,000 10,140 20,000
HEALTH
Health Department R.D.H.C.
Hospitals and Ambulances
Animal Control
Vital Statistics
SMERT
10
4,989
4,989
5,577
4,771
4,771
5,541
1,200
1,028
1,200
300
295
400
1,000
1,000
Actual
Appropr.
Appropr.
Expend.
EnsuBig Fiscal
1982
1982
Year 1983
Purposes of Appropriation
(1982-83)
(1982-83)
(1983-84)
HEALTH cont.
Upgrading Rescue Vehicle
$ 1,430
$ 3,057
Training Rescue Crew
1,000
1,000
WELFARE
General Assistance & Welfare
10,000
4,780
10,000
Safe Place
600
CULTURE AND RECREATION
Library
6,408
6,280
6,500
Parks and Recreation
3,300
2,895
3,000
Patriotic Purposes Mem. Day
and Fireworks
400
400
400
Conservation Commission
200
50
200
750
739
800
5,000
3,457
3,500
10,000
5,000
5,000
3,500
3,500
65,000
DEBT SERVICE
Interest Expense - Tax Antici-
pation Notes 5,000 5,109 5,000
CAPITAL OUTLAY
Tax Map
Fire Dept. Equip.
Ricky Nelson Rd.
Replace Bridge
Fire Truck
Converting Bow Lake Fire-
house to Town Offices 30,000
OPERATION TRANSFERS OUT
Payments to Capital Reserve
Funds Refuse Center 15,000 15,000
MISCELLANEOUS
PICA, Retirement & Pension
Contributions 3,000 3,026 3,500
Insurance 7,200 11,269 12,000
TOTAL APPROPRIATIONS $284,139 $256,882 $364,368
11
Less: Amount of Estimated Reven
ues, Exclusive
of Taxes
$150,601
Amount of Taxes to be Raised (Exclusive of Sclnool
and County Taxes)
$213,767
Estimated
Actual
Estimated
Revenue
Revenue
Revenue
1982
1982
1983
Sources of Revenue
(1982-83)
(1982-83)
(1983-84)
TAXES
Resident Taxes
$ 11,200
$ 11,700
$ 11,500
Yield Taxes
7,500
10,169
10,000
Interest & Penalties on Taxes
3,000
9,351
5,000
Inventory Penalties
500
193
200
INTERGOVERNMENTAL REVENUES
Meals and Rooms Tax
8,191
9,033
9,000
Interest and Dividends Tax
7,430
3,414
3,500
Savings Bank Tax
2,417
4,537
4,500
Highway Subsidy
8,405
8,867
13,407
Addtl. Highway Subsidy
9,099
9,207
8,644
Business Profits Tax
13,047
13,000
Auto Fees
2,457
2,500
LICENSES AND PERMITS
Motor Vehicle Permit Fees
46,000
54,753
55,000
Dog Licenses
1,300
1,236
1,200
Business Licenses, Permits
and Filing Fees
CHARGES FOR SERVICES
Income from Departments
Rec, Cons. History Bk.
Planning Board & Bd. of
Adjustment
Vital Statistics
MISCELLANEOUS REVENUES
interest on Deposits
OTHER FINANCING SOURCES
Withdrawal from Capital Reserve
Revenue Sharing Fund
TOTAL REVENUES AND
CREDITS
1,000
850
3,000
7,848
983
1,296
663
182
3,310
10,000
7,848
1,000
1,000
500
150
3,000
7,500
$117,740 $162,246 $150,601
12
SUMMARY INVENTORY OF VALUATION
TAX YEAR 1982
Land $22,738,842
Buildings 29,410,888
Public Service Co. of NH & City of Rochester 1 ,488,700
House trailers, mobile homes, travel trailers
Assessed as Personal Property 48 11 5,400
TOTAL VALUATION BEFORE
EXEMPTIONS ALLOWED $53,753,830
Elderly Exemptions 58 579,200
TOTAL EXEMPTIONS ALLOWED 579,200
NEW VALUATION ON WHICH TAX RATE IS
COMPUTED $53,1 74,630
Number of Inventories distributed in 1982 1,164
Date 1982 Inventories mailed 3/23/82
Number of Inventories returned in 1,037
Number of Individuals Applying for Elderly Exemption
in 1981 10 @ 5,000
32 @ 10,000
7 @ 15,000
15 @ 20,000
Number of Individuals Granted an Elderly Exemption
in 1981 10 @ 5,000
27 @ 10,000
6 @ 15,000
15 @ 20,000
Number of Property Owners granted Current Use Exemption: 215
Number of Acres Exempted under Current Use in 1982 13,764
TYPE
No.
of Owners
Nc
). of Acres
Farmland:
75
806
Forestland: White Pine
151
3,715
Hardwood
157
6,370
Wildland: Unproductive
21
889
Productive
24
1,221
Wetland:
60
761
13
FINANCIAL REPORT
For the Fiscal Year Ended June 30, 1983
This is to certify that the information contained in this report was taken
from official records and is complete to the best of our knowledge and
belief.
Dated 11 Feb. 1983
Thomas L. Davis, James O. Wilder, Albert W. Leighton
ASSETS
Cash:
All funds in custody of treasurer $ 76,198.72
Cert, of Deposit 100,000.00
Revenue Sharing Acct 215.74
TOTAL CASH $176,414.46
Recycling Center 47,176.65
TOTAL CAPITAL RESERVE FUNDS ... 47,1 76.65
ACCOUNTS DUE TO THE TOWN
Due from State: Bal. '82 TRA acct 4,669.25
TOTAL ACCOUNTS DUE TO THE TOWN 4,669.25
UNREDEEMED TAXES:
Levy of 1981 28,481.61
Levy of 1980 20,661.97
TOTAL UNREDEEMED TAXES 49,1 43.38
UNCOLLECTED TAXES:
Levy of 1982 155,156.67
Levy of 1981 174,53
Previous Years 4,098.89
TOTAL UNCOLLECTED TAXES 159,430.09
GRAND TOTAL $436,833.83
Fund Balance -Dec. 31, 1981 17,921.53
Fund Balance -Dec. 31, 1982 55,449.76
Change in Financial Condition 37,528.23
LIABILITIES
ACCOUNTS OWED BY THE TOWN:
Unexpended Revenue Sharing Funds ... 215.74
Yield Tax Deposits (Escrow Acct.) 7,207.43
School District Tax Payable 322,115.00
TOTAL ACCOUNTS OWED BY THE TOWN $329,538.17
14
STATE AND TOWN JOINT HIGHWAY CONSTRUCTION ACCOUNTS
Unexpended balance in State Treasury
'82TRAacct $ 4,669.25
TOTAL OF STATE AND TOWN JOINT
HIGHWAY CONSTRUCTION ACCT $ 4,669.25
CAPITAL RESERVE FUNDS:
Recycling Center 47,176.65
TOTAL CAPITAL RESERVE FUNDS .... 47,1 76.65
TOTAL LIABILITIES $381 ,384.07
Fund Balance 55,449.76
GRAND TOTAL $436,833.83
RECEIPTS
FROM LOCAL TAXES:
Property Taxes -Current Year -1982 .... 653,085.00
Resident Taxes - Current Year - 1 982 .... 1 0,1 40.00
Yield Taxes -Current Year -1982 7,515.00
Property Taxes and Yield Taxes -
Previous Years 95,806.00
Resident Taxes -Previous Years 1,560.00
Interest received on Delinquent Taxes . . 9,243.00
Penalties: Resident Taxes 301.00
Tax sales redeemed 36,380.00
Posting Costs & Abatements 10,722.00
Total taxes Collected and Remitted ... $824,752.00
INTERGOVERNMENTAL REVENUES
Meals and Rooms Tax 9,033.00
Interest and Dividends Tax 3,41 4.00
Savings Bank Tax 4,537.00
Highway Subsidy 8,867.00
Addt'l. Highway Subsidy 9,207.00
Business Profits Tax 13,047.00
Forest Fire Training 23.00
Auto Fees 2,457.00
Vital Statistics 182.00
Total Intergovernmental Revenues .... 50,767.00
LICENSES AND PERMITS
Motor Vehicle Permit Fees 54,753.00
Dog Licenses 1 ,236.00
15
LICENSES AND PERMITS continued
Business Licenses, Permits and
Filing Fees $ 983.00
Total Licenses and Permits
CHARGES FOR SERVICES
Income from Departments History books,
RecCons 1,296.00
Planning Board & Board of Adjustment .. 663.00
Total Charge for Services
MISCELLANEOUS REVENUES
Interest on Deposits 3,31 0.00
Taxes Bought by Town 41 ,690.00
Road Bond 300.00
Insurance Adjustment 923.00
Total Miscellaneous Revenues
OTHER FINANCING SOURCES
Withdrawal from Capital Reserve 10,000.00
Revenue Sharing Fund 7,848.00
Surplus Funds Investment 1 00,1 1 1 .00
Total Other Financing Sources
NON-REVENUE RECEIPTS
Proceedsof Tax Anticipation Notes 150,000.00
Yield Tax Security Deposits 7,207.00
Total Non-Revenue Receipts
TOTAL RECEIPTS FROM ALL SOURCES
(lessl INSF.check$8.)
Cash on Hand January 1 , 1 982
GRAND TOTAL
$ 56,972.00
1,959.00
46,233.00
117,959.00
157,207.00
1,255,841.00
90,722.00
1,346,563.00
PAYMENTS
GENERAL GOVERNMENT:
Town Officers salaries 8,113.00
Town Officers expenses 9,107.00
Election and Registration expenses 1 ,495.00
General Government Buildings 2,335.00
Reappraisal of Property & Tax Map 2,739.00
Planning and Zoning 431 .00
Legal Expenses 806.00
Advertising and Regional Association .. 1,172.00
16
GENERAL GOVERNMENT continued:
Auto Permits $ 1,982.00
Total General Governmental Expenses $ 28,180.00
PUBLIC SAFETY
Police Department 9,568.00
Fire Department 14,399.00
Building Inspection 709.00
Other Public Safety Expenses SMERT . , . 3,057.00
Total Public Safety Expenses 27,733.00
HIGHWAYS, STREETS, BRIDGES
Town Maintenance 84,088.00
General Highway Department Expenses . 40,717.00
Town Road Aid 996.00
Street Light 1,509.00
Total Highways and Bridges Expenses 127,310.00
SANITATION
Solid Waste Disposal 10,141.00
Total Sanitation Expenses 10,141.00
HEALTH
Hospitals and Ambulances 9,760.00
Animal Control 1 ,029.00
Vital Statistics 295.00
Total Health Expenses 11 ,084.00
WELFARE
General Assistance Welfare 4,780.00
Total Welfare Expenses 4,780.00
CULTURE AND RECREATION
Library 6,281.00
Parks and Recreation 2,896.00
Patriotic Purposes 400.00
Conservation Commission 50.00
Total Culture and Recreational
Expenses 9,627.00
DEBT SERVICE
Interest Expense - Tax Anticipation Notes 5,1 09.00
Total Debt Service Payments 5,1 09.00
OPERATING TRANSFERS OUT
Payments to Surplus Funds 100.000.00
Total Operation Transfers Out 100,000.00
17
MISCELLANEOUS
PICA, Retirement & Pension Contributions $ 3,027.00
Insurance 11,270.00
Total Miscellaneous Expenses $ 14,297.00
UNCLASSIPIED:
Payments on Tax Anticipation Notes .... 150,000.00
Taxes bought by town 41 ,691 .00
Discounts, abatements and refunds ..... 1 2,556.00
Paymients to trustees of trust funds 15,000.00
Yield Tax Deposit Refund 1,734.00
Total Unclassified Expenses 220,981 .00
PAYMENTS TO OTHER GOVERNMENTAL DIVISIONS;
Taxes paid to County 130,766.00
Payments to School Districts (1982 tax
370,356) (1983 tax 21 0,000) 580,356.00
Total Payments to Other Governmental
Divisions 711,122.00
Total Payments for all Purposes 1 ,270,364.00
Cash on hand December 31, 1982 76,199.00
GRAND TOTAL 1,346,563.00
TOWN OFFICERS SALARIES
Thomas L Davis $1 ,079.88
James O. Wilder 979.92
William Talvio 666.41
Albert Leighton 600.00
Marjorie Stiles 1 ,893.56
Phyllis Lynbourg 1 ,399.86
Billye Waldron 750.00
Roger Leighton 260.48
Fred Wagner 223.11
M. Justine Leighton 60.00
Robert Sawyer 1 00.00
Stephen Seeman 1 00.00
Harold McDonald 571.62
$8,684.84
TOWN OFFICERS EXPENSES
Equity Publishers $ 85.00
Pitney Bowes (copier) 601 .05
Brown & Saltnnarsh 72.00
Ellen White 146.61
Meaders 158.17
Ridings Press, Inc 1 ,257.00
Village Printer 28.35
Copy Rite 98.35
Gloria Creamer 4,039.34
MoslerSafe 5.00
Laura Carey 1 49.84
William Lynbourg (Postmaster) 685.49
BillyeWaldron 87.54
Anita Evans ' 1 7.00
American Business Capital 402.56
Marjorie Stiles 1 34.81
Thomas L. Davis 252.95
Real Data Corp 24.00
U.S. Postal Service 819.78
N.H. Municipal Association (Seminar) 1 5.00
Brownham Publishing Co 28.45
Harold McDonald 137.60
$9,245.69
SCHEDULE OF TOWN PROPERTY
As of December 31, 1981 â– June 30, 1982
Town Hall, lands and buildings $ 21 ,000
Libraries, lands and buildings 35,200
Furniture and equipment 3,500
Police Department, equipment 11 ,500
Fire Department, lands and buildings 67,600
Equipment 53,500
Highway Department, equipment 500
Parks, commons and playgrounds 7,500
Schools, lands and buildings, equipment 788,000
Recycling Center, land & equipment 18,600
Conservation land 129,200
TOTAL $1,136,100
19
TOWN TREASURER'S REPORT
For the Fiscal Year Ending December 31, 1982
RECEIPTS
Balance, January 1, 1982 $ 90,722.95
Receipts, 1 982 1,255,845.37
$1,346,568.32
EXPENDITURES
Expenditures, 1982 $1,270,369.60
Balance checking acct. Dec. 31, 1982 76,198.72
$1,346,568.32
Surplus funds
Certificate of Deposit, BankEast $ 100,000.00
BankEast
Bank Book No. 105518 (Surplus Fund
Acct.)
Balance, January 1, 1982 $ 105.44
Interest, 1982 5.99
Withdrawal, 1982 (returned to General
Fund) -111.43
Balance .00
Bank Book No. 97781
(Revenue Sharing Acct.)
Balance, January 1, 1982 $ 507.50
Deposited, 1 982 7,341 .00
Interest, 1982 215.24
Withdrawal -7,848.00
Balance $ 215.74
Transfer of funds to the Trustees of Trust Funds
(Refuse Center Fund - Art. 9, 1982 Town Meeting)$ 15,000.00